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Bank Reconciliation The bank reconciliation made by Adam Company, a sole proprietorship, on March 31 showed: Deposit in transit of $1,300 Outstanding checks no.797

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Bank Reconciliation The bank reconciliation made by Adam Company, a sole proprietorship, on March 31 showed: Deposit in transit of $1,300 Outstanding checks no.797 $550 no.804 $690 The reconciled cash balance on March 31 was $12,020 The following bank statement is available for April 30. Bank Statement TO Adam Company April 30 Fairbanks, AK Date Deposits No. Date FAIRBANKS NATIONAL BANK Charges Date Balance Apr. 1 $1,300 804 Apr. 2 $690 Mar. 31 $11,960 3 1,680 807 3 730 Apr. 1 13,260 7 1,250 808 7 1,240 2 12,570 13 1,020 809 7 838 3 13,520 18 840 811 13 541 7 12,692 23 990 810 16 1,040 13 13,171 27 1,340 813 18 500 16 12,131 30 1,160 814 30 95IN NSF 22 23 600 18 12,471 27 640 23 12,861 SC 30 40 27 13,561 30 14,776 CM: Credit Memo Item codes EC: Error Correction SC: Service Charge IN: Interest Earned DM: Debit Memo OD: Overdraft NSF: Non-sufficient Funds RT: Returned Item

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